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Assistant Vice President, Market Risk Management

2 weeks ago


hong kong, Hong Kong SAR China Fubon Bank (Hong Kong) Full time

Responsibilities To monitor transactional activities to ensure all transactions comply with the Bank’s market risk management and product risk rating policies and relevant regulatory requirements (ie Head Office and HKMA) To prepare risk management reports to management To collaborate with various teams to understand the Bank’s investment and treasury products, identifying and assessing potential risks including market, product, counterparty credit risks To formulate, develop and maintain mark-to-market estimations and internal pricing methodology for treasury products To assist in refining, developing, and enhancing risk infrastructure, internal risk policies and procedures to strengthen the risk governance To participate in the implementation and enhancement of Fundamental Review of Trading Book (FRTB) Standardized Approach (SA) Framework, including risk data aggregation, input preparation and model testing To contribute in the system automation and workflow streamlining initiatives for regulatory, market risk monitoring and reporting To support and maintain IRRBB behavioral model and automatic option calculation. To perform Trading Book and Investment Portfolio stress tests, as well as Bank-wide and Climate Risk Market Risk-related stress tests To regularly perform product risk rating assessment checking and update product risk rating for treasury products and unit trust on regular basis To provide mark-to-market checking to facilitate the CSA reasonableness checking – Collateral Management To respond to ad hoc requests from the business, risk management users, internal audit, compliance or regulators Requirements University degree in Risk Management Science, Quantitative Finance, Statistics, Financial Engineering or quantitative discipline Minimum 5 years’ experience in market risk management and/or product control Solid understanding of market risk methodologies, including sensitivities-based approaches and capital charge calculation under FRTB-SA Good knowledge of the nature and exposure of treasury products and structured products In-depth knowledge of regulatory requirements with respect to risk management. Experience in IRRBB measurement preferred Sound knowledge of Summit Bloomberg and Refinitiv Hand‑on experience with data analytics and automation tools such as SQL, Power BI, VBA Excellent analytical, interpersonal, communication, and presentation skills. Ability to work effectively in a stable environment Strong command of both written and spoken English and Chinese (Cantonese and Mandarin) Holder of professional qualification – CFA, FRM or Enhanced Competency Framework on Treasury Management Please send your application with full resume indicating current and expected salary, and quoting the above reference no *All personal data provided by job applicants will be used for recruitment purposes only in accordance with the Bank’s Personal Data Information Collection Statement, a copy of which is available on our website: Seniority level Not Applicable Employment type Full-time Job function Analyst Industries: Banking #J-18808-Ljbffr